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Finance Manager

New York, New York · Accounting/Finance

Working for NYC Developer who building Multifamily Residential buildings.

-Preparing consolidated financial statements, ensuring that the financial statements are accurate, complete and in accordance with generally accepted accounting principles (GAAP) and industry standards

- Preparing budgets and cash flow by collecting, analyzing and consolidating financial data

- Overseeing the implementation of internal control activities and identifying and correcting any financial issues on a daily basis

- Handle all company and employment related tax matters, working with the Company's outside tax advisors and reviewing the tax filings and ensuring compliance with Internal Revenue Service regulations

- Preparing documents for the Company's external auditors during financial statement and internal control audits

- Communicating with accounting personnel of the Company Headquarters on a regular basis to ensure the information flow by and between the Company Headquarters

- Form a close working relationship with the CFO, other Senior Executives and Non- Executives

- Contribute fully to the development of company strategy across all areas of the business, providing financial analysis and guidance on all activities, plans, targets and business drivers

Ensure that company financial systems are robust, compliant and support current activities and future growth

- Ensure corporate budgeting processes are carried out and reviewed

Establish a high level of credibility and manage strong working relationships with external parties including customers, advisors, banking institutions and accountants

- Assist in company-wide budgetary planning, oversee, review, and adhere to the budgets for each business department

-Ensure that all the company's financial practices are in line in statutory regulations and legislation

- Analyze the financial market trends to assist senior executives in creating strategic plans; Interpret complex financial information and provide updates and information as needed • Monitor cash flow, accounts, and other financial transactions

- Supervise financial assistants and other employees in the facilitation of day-to-day operations, including tracking financial data, invoicing, payroll, etc.

Prepare official reports on a monthly and annual basis

-Seek out method s and practices to minimize financial risk, implement financial policies and procedures and maintain a policy manual for the finance department

- Perform other duties and projects as assigned by the CFO or HQ

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